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IMF Working Papers by
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Title:
Modeling Banking, Sovereign, and Macro Risk in a CCA Global VAR
Author/Editor:
Dale F. Gray
Series:
Working Paper No. 13/218
Date:
October 23, 2013
Subject(s):
Banking sector
|
Credit expansion
|
Sovereign debt
|
Credit risk
|
Cross country analysis
|
Economic models
Title:
Bank Resolution Costs, Depositor Preference, and Asset Encumbrance
Author/Editor:
Daniel C. Hardy
Series:
Working Paper No. 13/172
Date:
July 18, 2013
Subject(s):
Bankruptcy
|
Bank resolution
|
Banks
Title:
Rules of Thumb for Bank Solvency Stress Testing
Author/Editor:
Daniel C. Hardy ; Christian Schmieder
Series:
Working Paper No. 13/232
Date:
November 11, 2013
Subject(s):
Banks
|
Banking crisis
|
Stress testing
|
Economic models
Title:
The Euro Area Crisis : Need for a Supranational Fiscal Risk Sharing Mechanism?
Author/Editor:
Davide Furceri ; Aleksandra Zdzienicka
Series:
Working Paper No. 13/198
Date:
September 25, 2013
Subject(s):
Financial crisis | Euro Area | Fiscal risk | Fiscal policy | Fiscal stability
Title:
Monetary Policy and Balance Sheets
Author/Editor:
Deniz Igan ; Alain N. Kabundi ; Francisco Nadal-De Simone ; Natalia T. Tamirisa
Series:
Working Paper No. 13/158
Date:
July 03, 2013
Subject(s):
Monetary transmission mechanism
|
United States
|
Monetary policy
|
Interest rates
|
Economic models
Title:
The Curious Case of the Yen as a Safe Haven Currency: A Forensic Analysis
Author/Editor:
Dennis P. J. Botman ; Irineu E. Carvalho Filho ; Raphael W. Lam
Series:
Working Paper No. 13/228
Date:
November 06, 2013
Subject(s):
Currencies
|
Japan
|
Exchange rate appreciation
|
Capital flows
|
Monetary policy
|
Risk management
Title:
The Curious Case of the Yen as a Safe Haven Currency: A Forensic Analysis
Author/Editor:
Dennis P. J. Botman ; Irineu E. Carvalho Filho ; Raphael W. Lam
Series:
Working Paper No. 13/228
Date:
November 06, 2013
Subject(s):
Currencies
|
Japan
|
Exchange rate appreciation
|
Capital flows
|
Monetary policy
|
Risk management
Title:
Getting to Know GIMF : The Simulation Properties of the Global Integrated Monetary and Fiscal Model
Author/Editor:
Derek Anderson ; Ben Hunt ; Mika Kortelainen ; Michael Kumhof ; Douglas Laxton ; Dirk Muir ; Susanna Mursula ; Stephen Snudden
Series:
Working Paper No. 13/55
Date:
February 27, 2013
Subject(s):
Economic models
|
Monetary policy
|
Financial sector
|
External shocks
|
Fiscal policy
|
Fiscal consolidation
|
Government expenditures
|
Demand
Title:
Fiscal Multipliers in Bulgaria : Low But Still Relevant
Author/Editor:
Dirk Muir ; Anke Weber
Series:
Working Paper No. 13/49
Date:
February 25, 2013
Subject(s):
Fiscal policy
|
Bulgaria
|
Economic growth
|
Industrial production
|
Economic models
Title:
Monetary and Macroprudential Policy in an Estimated DSGE Model of the Euro Area
Author/Editor:
Dominic Quint ; Pau Rabanal
Series:
Working Paper No. 13/209
Date:
October 14, 2013
Subject(s):
Monetary policy
|
Euro Area
|
European Economic and Monetary Union
|
Macroprudential Policy
|
Credit expansion
|
Economic models
Title:
Monetary Policy in Emerging Markets : Taming the Cycle
Author/Editor:
Donal McGettigan ; Kenji Moriyama ; Jean F Noah Ndela Ntsama ; Francois Painchaud ; Haonan Qu ; Chad Steinberg
Series:
Working Paper No. 13/96
Date:
May 03, 2013
Subject(s):
Monetary policy
|
Emerging markets
|
Chile
|
Inflation targeting
|
Business cycles
Title:
Infrastructure and Income Distribution in ASEAN-5 : What are the Links?
Author/Editor:
Dulani Seneviratne ; Yan Sun
Series:
Working Paper No. 13/41
Date:
February 11, 2013
Subject(s):
Infrastructure
|
Indonesia
|
Malaysia
|
Philippines
|
Thailand
|
Vietnam
|
Association of Southeast Asian Nations
|
Investment
|
Income distribution
|
Cross country analysis